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00658 C TRANSMISSION

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  • 0.830
  • 0.0000.00%
Market Closed Apr 30 16:08 CST
1.36BMarket Cap-0.19P/E (TTM)

C TRANSMISSION Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax
-890.60%-5.75B
----
-30.27%727.71M
----
-36.04%1.04B
----
38.51%1.63B
----
145.55%1.18B
----
Profit adjustment
Interest (income) - adjustment
10.01%-115.5M
----
24.69%-128.34M
----
12.87%-170.41M
----
-73.05%-195.58M
----
12.12%-113.02M
----
Dividend (income)- adjustment
-235.93%-3.71M
----
63.23%-1.11M
----
88.08%-3.01M
----
-160.73%-25.21M
----
68.25%-9.67M
----
Attributable subsidiary (profit) loss
-48.43%1.36M
----
-96.85%2.64M
----
175.34%83.85M
----
299.44%30.45M
----
-8.05%-15.27M
----
Impairment and provisions:
1,802.27%6.94B
----
-18.72%364.96M
----
112.48%449.01M
----
16.10%211.32M
----
89.00%182.01M
----
-Impairment of property, plant and equipment (reversal)
-223.91%-6.11M
----
-73.10%4.93M
----
-77.71%18.33M
----
26.37%82.23M
----
697.57%65.07M
----
-Impairmen of inventory (reversal)
23.60%77.37M
----
-71.24%62.6M
----
32.54%217.63M
----
337.10%164.2M
----
784.49%37.57M
----
-Impairment of trade receivables (reversal)
35,116.93%3.18B
----
-107.59%-9.07M
----
2,733.25%119.45M
----
-93.39%4.22M
----
167.45%63.79M
----
-Impairment of goodwill
--272K
----
----
----
----
----
----
----
----
----
-Other impairments and provisions
1,105.52%3.69B
----
227.46%306.5M
----
338.00%93.6M
----
-352.52%-39.33M
----
-77.68%15.57M
----
Revaluation surplus:
69.21%-7.74M
----
1.10%-25.12M
----
11.44%-25.4M
----
20.15%-28.68M
----
51.29%-35.92M
----
-Other fair value changes
69.21%-7.74M
----
1.10%-25.12M
----
11.44%-25.4M
----
20.15%-28.68M
----
51.29%-35.92M
----
Asset sale loss (gain):
-250.53%-9.66M
----
671.50%6.42M
----
-109.87%-1.12M
----
159.81%11.38M
----
104.25%4.38M
----
-Loss (gain) from sale of subsidiary company
----
----
--5.64M
----
----
----
---411K
----
----
----
-Loss (gain) on sale of property, machinery and equipment
-1,338.59%-9.66M
----
169.46%780K
----
78.39%-1.12M
----
-218.66%-5.2M
----
-86.81%4.38M
----
-Loss (gain) from selling other assets
----
----
----
----
----
----
--16.98M
----
----
----
Depreciation and amortization:
40.40%768.84M
----
28.94%547.59M
----
-0.41%424.68M
----
-1.28%426.43M
----
-13.82%431.96M
----
-Other depreciation and amortization
-76.12%-69.57M
----
---39.5M
----
----
----
----
----
----
----
Financial expense
-4.88%726.26M
----
29.68%763.56M
----
152.17%588.81M
----
-17.45%233.5M
----
-45.29%282.87M
----
Unrealized exchange loss (gain)
30.95%-12.37M
----
76.90%-17.92M
----
-342.21%-77.55M
----
328.64%32.02M
----
-375.45%-14M
----
Special items
-102.23%-744K
----
265.33%33.33M
----
2.51%-20.16M
----
-104.08%-20.68M
----
2,479.68%507.16M
----
Adjustment items
-76.12%-69.57M
----
---39.5M
----
----
----
----
----
----
----
Operating profit before the change of operating capital
10.39%2.47B
----
-2.53%2.23B
----
-0.62%2.29B
----
-3.83%2.31B
----
95.31%2.4B
----
Change of operating capital
Inventory (increase) decrease
29.20%414.94M
----
116.56%321.15M
----
-16.13%-1.94B
----
-42.38%-1.67B
----
-382.00%-1.17B
----
Accounts receivable (increase)decrease
-1,443.91%-2.45B
----
105.85%182.47M
----
-162.75%-3.12B
----
25.52%-1.19B
----
-230.67%-1.59B
----
Accounts payable increase (decrease)
176.22%2.05B
----
-176.38%-2.69B
----
1,317.42%3.52B
----
-24.67%248.59M
----
158.99%329.97M
----
prepayments (increase)decrease
-971.15%-2.23B
----
142.10%256.38M
----
-178.19%-608.92M
----
75.22%-218.88M
----
-782.86%-883.24M
----
Special items for working capital changes
-155.89%-216.14M
----
-64.04%386.71M
----
273.87%1.08B
----
-126.75%-618.48M
----
541.35%2.31B
----
Cash  from business operations
-95.53%30.82M
-317.44%-991.36M
-43.72%689.82M
-170.87%-237.49M
207.64%1.23B
-4.69%335.1M
-181.85%-1.14B
-68.14%351.58M
-34.82%1.39B
85.74%1.1B
Other taxs
48.43%-174.2M
41.85%-110.58M
-5.89%-337.77M
-27.09%-190.17M
7.21%-318.99M
29.22%-149.64M
-59.71%-343.79M
-966.55%-211.42M
-948.93%-215.26M
1,119.13%24.4M
Net cash from operations
-140.73%-143.38M
-157.67%-1.1B
-61.17%352.04M
-330.59%-427.66M
161.16%906.61M
32.32%185.46M
-226.07%-1.48B
-87.57%140.16M
-44.37%1.18B
90.62%1.13B
Cash flow from investment activities
Interest received - investment
-19.05%117.25M
-9.24%62.76M
-33.76%144.84M
-60.18%69.15M
208.67%218.67M
626.53%173.65M
-16.36%70.84M
-46.63%23.9M
16.67%84.69M
61.90%44.78M
Dividend received - investment
235.93%3.71M
1,410.00%3.62M
-63.23%1.11M
650.00%240K
-96.00%3.01M
-99.86%32K
204.88%75.21M
-0.48%23.6M
-52.79%24.67M
-22.10%23.72M
Loan receivable (increase) decrease
-179.52%-250M
----
181.66%314.39M
155.32%66.38M
-164.13%-385M
-124.98%-120M
28.16%600.35M
5,919.47%480.35M
290.61%468.44M
103.25%7.98M
Decrease in deposits (increase)
-43.69%751.63M
-88.30%39.91M
144.50%1.33B
120.24%341.25M
-1,128.13%-3B
-43.58%-1.69B
-124.69%-244.25M
-479.79%-1.17B
245.05%989.34M
205.12%309.24M
Sale of fixed assets
52.00%103.12M
739.39%23.78M
261.16%67.84M
-75.99%2.83M
-28.42%18.79M
-24.55%11.8M
-40.85%26.24M
71.97%15.64M
9.61%44.36M
127.83%9.1M
Purchase of fixed assets
14.95%-2.07B
14.35%-1.35B
6.70%-2.43B
-41.26%-1.57B
-129.81%-2.61B
-90.99%-1.11B
-143.81%-1.13B
-195.61%-583.25M
11.41%-465.19M
27.96%-197.3M
Selling intangible assets
----
----
----
----
----
----
----
----
--4.61M
----
Purchase of intangible assets
9.14%-50.72M
18.28%-45.62M
-168.31%-55.83M
-168.31%-55.83M
50.40%-20.81M
---20.81M
-720.48%-41.95M
----
89.19%-5.11M
----
Sale of subsidiaries
----
----
--13M
--11.5M
----
----
128,632.50%51.41M
27,230.00%10.85M
-100.01%-40K
-100.04%-40K
Acquisition of subsidiaries
----
----
----
----
---6.84M
---6.84M
----
----
----
----
Recovery of cash from investments
-91.35%20.09M
-74.97%20.05M
-18.01%232.27M
-70.68%80.09M
-62.79%283.27M
-52.44%273.15M
-43.16%761.27M
29.31%574.28M
19.88%1.34B
-44.48%444.12M
Cash on investment
78.13%-35M
86.21%-20M
-77.78%-160M
-70.59%-145M
75.00%-90M
79.05%-85M
56.52%-360M
-11.77%-405.73M
-291.33%-828M
-128.58%-363M
Other items in the investment business
28.07%302.26M
35.58%267.76M
87.57%236.02M
102.84%197.49M
-25.85%125.83M
-35.83%97.36M
-15.58%169.69M
-53.65%151.74M
-36.79%201.02M
-8.92%327.37M
Net cash from investment operations
-264.54%-1.11B
1.00%-995.48M
94.44%-303.35M
59.40%-1.01B
-21,418.96%-5.46B
-180.49%-2.48B
-101.37%-25.37M
-245.73%-883.09M
63.64%1.86B
66.94%605.97M
Net cash before financing
-2,665.47%-1.25B
-46.35%-2.1B
101.07%48.69M
37.46%-1.43B
-201.96%-4.55B
-208.44%-2.29B
-149.70%-1.51B
-142.85%-742.93M
-6.63%3.03B
81.62%1.73B
Cash flow from financing activities
New borrowing
-16.93%6.57B
-14.59%3.77B
-4.53%7.91B
-14.00%4.42B
67.05%8.28B
99.83%5.14B
40.70%4.96B
12.37%2.57B
-17.87%3.52B
73.96%2.29B
Refund
-3.86%-6.5B
32.16%-1.87B
-33.43%-6.26B
11.39%-2.76B
-51.77%-4.69B
-64.43%-3.12B
22.04%-3.09B
7.36%-1.9B
38.78%-3.96B
26.01%-2.05B
Interest paid - financing
-2.59%-486.52M
-13.84%-284.42M
-20.94%-474.24M
-45.81%-249.85M
-70.84%-392.14M
-26.45%-171.36M
36.36%-229.53M
28.37%-135.52M
29.97%-360.67M
37.32%-189.2M
Dividends paid - financing
---102.08M
----
----
----
---89M
----
----
----
-160.18%-299.19M
-160.18%-299.19M
Absorb investment income
----
----
----
----
----
----
----
----
--150M
----
Issuance expenses and redemption of securities expenses
----
----
----
----
----
----
----
----
---2.42B
---900M
Other items of the financing business
----
----
----
----
146.12%2.46B
146.12%2.46B
6,510.26%1B
--1B
---15.6M
----
Net cash from financing operations
-143.88%-516.83M
14.85%1.62B
-78.87%1.18B
-67.36%1.41B
111.19%5.57B
179.92%4.31B
178.00%2.64B
234.34%1.54B
-20.36%-3.38B
38.60%-1.15B
Effect of rate
-30.96%12.37M
-94.84%2.15M
-76.90%17.92M
9.55%41.64M
342.21%77.55M
473.38%38.01M
-328.64%-32.02M
-263.40%-10.18M
375.45%14M
1,293.74%6.23M
Net Cash
-244.00%-1.77B
-1,742.44%-481.45M
20.03%1.23B
-101.29%-26.13M
-9.72%1.02B
153.34%2.02B
423.31%1.13B
35.69%797.16M
-180.00%-350.09M
164.39%587.48M
Begining period cash
28.39%5.63B
28.39%5.63B
33.47%4.38B
33.47%4.38B
50.35%3.28B
50.35%3.28B
-13.33%2.18B
-13.33%2.18B
20.72%2.52B
20.72%2.52B
Cash at the end
-31.16%3.87B
17.04%5.15B
28.39%5.63B
-17.65%4.4B
33.47%4.38B
79.78%5.34B
50.35%3.28B
-4.59%2.97B
-13.33%2.18B
168.22%3.11B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
Tianshi Hong Kong Certified Public Accountants Limited
--
Tianshi Hong Kong Certified Public Accountants Limited
--
Tianshi Hong Kong Certified Public Accountants Limited
--
Tianshi Hong Kong Certified Public Accountants Limited
--
Tianshi Hong Kong Certified Public Accountants Limited
--
(FY)Dec 31, 2024(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax -890.60%-5.75B-----30.27%727.71M-----36.04%1.04B----38.51%1.63B----145.55%1.18B----
Profit adjustment
Interest (income) - adjustment 10.01%-115.5M----24.69%-128.34M----12.87%-170.41M-----73.05%-195.58M----12.12%-113.02M----
Dividend (income)- adjustment -235.93%-3.71M----63.23%-1.11M----88.08%-3.01M-----160.73%-25.21M----68.25%-9.67M----
Attributable subsidiary (profit) loss -48.43%1.36M-----96.85%2.64M----175.34%83.85M----299.44%30.45M-----8.05%-15.27M----
Impairment and provisions: 1,802.27%6.94B-----18.72%364.96M----112.48%449.01M----16.10%211.32M----89.00%182.01M----
-Impairment of property, plant and equipment (reversal) -223.91%-6.11M-----73.10%4.93M-----77.71%18.33M----26.37%82.23M----697.57%65.07M----
-Impairmen of inventory (reversal) 23.60%77.37M-----71.24%62.6M----32.54%217.63M----337.10%164.2M----784.49%37.57M----
-Impairment of trade receivables (reversal) 35,116.93%3.18B-----107.59%-9.07M----2,733.25%119.45M-----93.39%4.22M----167.45%63.79M----
-Impairment of goodwill --272K------------------------------------
-Other impairments and provisions 1,105.52%3.69B----227.46%306.5M----338.00%93.6M-----352.52%-39.33M-----77.68%15.57M----
Revaluation surplus: 69.21%-7.74M----1.10%-25.12M----11.44%-25.4M----20.15%-28.68M----51.29%-35.92M----
-Other fair value changes 69.21%-7.74M----1.10%-25.12M----11.44%-25.4M----20.15%-28.68M----51.29%-35.92M----
Asset sale loss (gain): -250.53%-9.66M----671.50%6.42M-----109.87%-1.12M----159.81%11.38M----104.25%4.38M----
-Loss (gain) from sale of subsidiary company ----------5.64M---------------411K------------
-Loss (gain) on sale of property, machinery and equipment -1,338.59%-9.66M----169.46%780K----78.39%-1.12M-----218.66%-5.2M-----86.81%4.38M----
-Loss (gain) from selling other assets --------------------------16.98M------------
Depreciation and amortization: 40.40%768.84M----28.94%547.59M-----0.41%424.68M-----1.28%426.43M-----13.82%431.96M----
-Other depreciation and amortization -76.12%-69.57M-------39.5M----------------------------
Financial expense -4.88%726.26M----29.68%763.56M----152.17%588.81M-----17.45%233.5M-----45.29%282.87M----
Unrealized exchange loss (gain) 30.95%-12.37M----76.90%-17.92M-----342.21%-77.55M----328.64%32.02M-----375.45%-14M----
Special items -102.23%-744K----265.33%33.33M----2.51%-20.16M-----104.08%-20.68M----2,479.68%507.16M----
Adjustment items -76.12%-69.57M-------39.5M----------------------------
Operating profit before the change of operating capital 10.39%2.47B-----2.53%2.23B-----0.62%2.29B-----3.83%2.31B----95.31%2.4B----
Change of operating capital
Inventory (increase) decrease 29.20%414.94M----116.56%321.15M-----16.13%-1.94B-----42.38%-1.67B-----382.00%-1.17B----
Accounts receivable (increase)decrease -1,443.91%-2.45B----105.85%182.47M-----162.75%-3.12B----25.52%-1.19B-----230.67%-1.59B----
Accounts payable increase (decrease) 176.22%2.05B-----176.38%-2.69B----1,317.42%3.52B-----24.67%248.59M----158.99%329.97M----
prepayments (increase)decrease -971.15%-2.23B----142.10%256.38M-----178.19%-608.92M----75.22%-218.88M-----782.86%-883.24M----
Special items for working capital changes -155.89%-216.14M-----64.04%386.71M----273.87%1.08B-----126.75%-618.48M----541.35%2.31B----
Cash  from business operations -95.53%30.82M-317.44%-991.36M-43.72%689.82M-170.87%-237.49M207.64%1.23B-4.69%335.1M-181.85%-1.14B-68.14%351.58M-34.82%1.39B85.74%1.1B
Other taxs 48.43%-174.2M41.85%-110.58M-5.89%-337.77M-27.09%-190.17M7.21%-318.99M29.22%-149.64M-59.71%-343.79M-966.55%-211.42M-948.93%-215.26M1,119.13%24.4M
Net cash from operations -140.73%-143.38M-157.67%-1.1B-61.17%352.04M-330.59%-427.66M161.16%906.61M32.32%185.46M-226.07%-1.48B-87.57%140.16M-44.37%1.18B90.62%1.13B
Cash flow from investment activities
Interest received - investment -19.05%117.25M-9.24%62.76M-33.76%144.84M-60.18%69.15M208.67%218.67M626.53%173.65M-16.36%70.84M-46.63%23.9M16.67%84.69M61.90%44.78M
Dividend received - investment 235.93%3.71M1,410.00%3.62M-63.23%1.11M650.00%240K-96.00%3.01M-99.86%32K204.88%75.21M-0.48%23.6M-52.79%24.67M-22.10%23.72M
Loan receivable (increase) decrease -179.52%-250M----181.66%314.39M155.32%66.38M-164.13%-385M-124.98%-120M28.16%600.35M5,919.47%480.35M290.61%468.44M103.25%7.98M
Decrease in deposits (increase) -43.69%751.63M-88.30%39.91M144.50%1.33B120.24%341.25M-1,128.13%-3B-43.58%-1.69B-124.69%-244.25M-479.79%-1.17B245.05%989.34M205.12%309.24M
Sale of fixed assets 52.00%103.12M739.39%23.78M261.16%67.84M-75.99%2.83M-28.42%18.79M-24.55%11.8M-40.85%26.24M71.97%15.64M9.61%44.36M127.83%9.1M
Purchase of fixed assets 14.95%-2.07B14.35%-1.35B6.70%-2.43B-41.26%-1.57B-129.81%-2.61B-90.99%-1.11B-143.81%-1.13B-195.61%-583.25M11.41%-465.19M27.96%-197.3M
Selling intangible assets ----------------------------------4.61M----
Purchase of intangible assets 9.14%-50.72M18.28%-45.62M-168.31%-55.83M-168.31%-55.83M50.40%-20.81M---20.81M-720.48%-41.95M----89.19%-5.11M----
Sale of subsidiaries ----------13M--11.5M--------128,632.50%51.41M27,230.00%10.85M-100.01%-40K-100.04%-40K
Acquisition of subsidiaries -------------------6.84M---6.84M----------------
Recovery of cash from investments -91.35%20.09M-74.97%20.05M-18.01%232.27M-70.68%80.09M-62.79%283.27M-52.44%273.15M-43.16%761.27M29.31%574.28M19.88%1.34B-44.48%444.12M
Cash on investment 78.13%-35M86.21%-20M-77.78%-160M-70.59%-145M75.00%-90M79.05%-85M56.52%-360M-11.77%-405.73M-291.33%-828M-128.58%-363M
Other items in the investment business 28.07%302.26M35.58%267.76M87.57%236.02M102.84%197.49M-25.85%125.83M-35.83%97.36M-15.58%169.69M-53.65%151.74M-36.79%201.02M-8.92%327.37M
Net cash from investment operations -264.54%-1.11B1.00%-995.48M94.44%-303.35M59.40%-1.01B-21,418.96%-5.46B-180.49%-2.48B-101.37%-25.37M-245.73%-883.09M63.64%1.86B66.94%605.97M
Net cash before financing -2,665.47%-1.25B-46.35%-2.1B101.07%48.69M37.46%-1.43B-201.96%-4.55B-208.44%-2.29B-149.70%-1.51B-142.85%-742.93M-6.63%3.03B81.62%1.73B
Cash flow from financing activities
New borrowing -16.93%6.57B-14.59%3.77B-4.53%7.91B-14.00%4.42B67.05%8.28B99.83%5.14B40.70%4.96B12.37%2.57B-17.87%3.52B73.96%2.29B
Refund -3.86%-6.5B32.16%-1.87B-33.43%-6.26B11.39%-2.76B-51.77%-4.69B-64.43%-3.12B22.04%-3.09B7.36%-1.9B38.78%-3.96B26.01%-2.05B
Interest paid - financing -2.59%-486.52M-13.84%-284.42M-20.94%-474.24M-45.81%-249.85M-70.84%-392.14M-26.45%-171.36M36.36%-229.53M28.37%-135.52M29.97%-360.67M37.32%-189.2M
Dividends paid - financing ---102.08M---------------89M-------------160.18%-299.19M-160.18%-299.19M
Absorb investment income ----------------------------------150M----
Issuance expenses and redemption of securities expenses -----------------------------------2.42B---900M
Other items of the financing business ----------------146.12%2.46B146.12%2.46B6,510.26%1B--1B---15.6M----
Net cash from financing operations -143.88%-516.83M14.85%1.62B-78.87%1.18B-67.36%1.41B111.19%5.57B179.92%4.31B178.00%2.64B234.34%1.54B-20.36%-3.38B38.60%-1.15B
Effect of rate -30.96%12.37M-94.84%2.15M-76.90%17.92M9.55%41.64M342.21%77.55M473.38%38.01M-328.64%-32.02M-263.40%-10.18M375.45%14M1,293.74%6.23M
Net Cash -244.00%-1.77B-1,742.44%-481.45M20.03%1.23B-101.29%-26.13M-9.72%1.02B153.34%2.02B423.31%1.13B35.69%797.16M-180.00%-350.09M164.39%587.48M
Begining period cash 28.39%5.63B28.39%5.63B33.47%4.38B33.47%4.38B50.35%3.28B50.35%3.28B-13.33%2.18B-13.33%2.18B20.72%2.52B20.72%2.52B
Cash at the end -31.16%3.87B17.04%5.15B28.39%5.63B-17.65%4.4B33.47%4.38B79.78%5.34B50.35%3.28B-4.59%2.97B-13.33%2.18B168.22%3.11B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ----Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Tianshi Hong Kong Certified Public Accountants Limited--Tianshi Hong Kong Certified Public Accountants Limited--Tianshi Hong Kong Certified Public Accountants Limited--Tianshi Hong Kong Certified Public Accountants Limited--Tianshi Hong Kong Certified Public Accountants Limited--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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